Key Figures1

kEUR

H1 2025

H1 2024

Change

 

 

 

 

Revenue

167,096

135,043

23.7%

EBITDA

4,434

2,869

54.6%

EBITDA in % of revenue

2.7%

2.1%

0.5 ppts

Operating result (EBIT)

-13,723

-12,571

-9.2%

Operating result (EBIT) in % of revenue

-8.2%

-9.3%

1.1 ppts

Result for the period

-26,539

-11,386

-133.1%

Result for the period in % of revenue

-15.9%

-8.4%

-7.5 ppts

Earnings per share (EUR), basic

-0.80

-0.35

-129.8%

Return on net operating assets (RONOA)

-1.8%

-3.4%

1.6 ppts

Cash and cash equivalents (end of period)

76,695

48,475

58.2%

Net cash flow from operating activities

49,656

471

10,465.0%

Capital expenditures

46,108

20,537

124.5%

Capital expenditures in % of revenue

27.6%

15.2%

12.4 ppts

Total assets (end of period)

773,067

664,971

16.3%

Equity ratio (end of period)

42.8%

54.1%

-11.3 ppts

Employees (# of FTEs, average)

1,366

1,277

7.0%

1 This table and report include references to operational indicators and alternative financial performance measures (APM) that are not defined or specified by IFRS. These APM should be regarded as complementary information to and not as substitutes for the Group’s consolidated financial results based on IFRS. For the definitions of the main operational indicators and APM used, including related abbreviations, as well as for selected reconciliations to IFRS, please refer to the section “Definitions and reconciliations” of this report.